Academic literature on the topic 'Living and non-living'

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Journal articles on the topic "Living and non-living"

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Sanchez, Isaac C. "Entropy of Living versus Non-Living Systems." Journal of Modern Physics 02, no. 07 (2011): 654–57. http://dx.doi.org/10.4236/jmp.2011.27077.

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Duff, John Alton. "Non-Living Resources." Ocean Yearbook Online 14, no. 1 (2000): 203–31. http://dx.doi.org/10.1163/221160000x00134.

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Mansy, Sheref S. "Non-living predators." Nature Chemistry 9, no. 2 (January 24, 2017): 107–8. http://dx.doi.org/10.1038/nchem.2725.

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URBANEK, ADAM. "Living non-graptolite." Lethaia 27, no. 1 (March 1994): 18. http://dx.doi.org/10.1111/j.1502-3931.1994.tb01549.x.

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Giannantoni, Corrado. "Mathematics for generative processes: Living and non-living systems." Journal of Computational and Applied Mathematics 189, no. 1-2 (May 2006): 324–40. http://dx.doi.org/10.1016/j.cam.2005.03.032.

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Michieletto, Davide. "Non-Equilibrium Living Polymers." Entropy 22, no. 10 (October 6, 2020): 1130. http://dx.doi.org/10.3390/e22101130.

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Systems of “living” polymers are ubiquitous in industry and are traditionally realised using surfactants. Here I first review the theoretical state-of-the-art of living polymers and then discuss non-equilibrium extensions that may be realised with advanced synthetic chemistry or DNA functionalised by proteins. These systems are not only interesting in order to realise novel “living” soft matter but can also shed insight into how genomes are (topologically) regulated in vivo.
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Abad, Montserrat. "NON-LIVING MARINE RESOURCES." Spanish Yearbook of International Law 21 (December 31, 2017): 345–61. http://dx.doi.org/10.17103/sybil.21.24.

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Reisse, Jacques. "The Gradual Transition from the Non-Living to the Living." Diogenes 39, no. 155 (September 1991): 53–65. http://dx.doi.org/10.1177/039219219103915506.

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Khan, Mohammad Shafiq. "Foundation of Theory of Everything: Non-living and Living Things." Indian Journal of Science and Technology 3, no. 9 (September 20, 2010): 955–81. http://dx.doi.org/10.17485/ijst/2010/v3i9.1.

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Hoffman, Joshua, and Gary S. Rosenkrantz. "On the Unity of Compound Things: Living and Non-Living." Ratio 11, no. 3 (December 1998): 289–315. http://dx.doi.org/10.1111/1467-9329.00072.

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Dissertations / Theses on the topic "Living and non-living"

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Rodriguez, Garcia Marc. "Engineering the transition from non-living to living matter." Thesis, University of Glasgow, 2016. http://theses.gla.ac.uk/7605/.

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Re-creating and understanding the origin of life represents one of the major challenges facing the scientific community. We will never know exactly how life started on planet Earth, however, we can reconstruct the most likely chemical pathways that could have contributed to the formation of the first living systems. Traditionally, prebiotic chemistry has investigated the formation of modern life’s precursors and their self-organisation under very specific conditions thought to be ‘plausible’. So far, this approach has failed to produce a living system from the bottom-up. In the work presented herein, two different approaches are employed to explore the transition from inanimate to living matter. The development of microfluidic technology during the last decades has changed the way traditional chemical and biological experiments are performed. Microfluidics allows the handling of low volumes of reagents with very precise control. The use of micro-droplets generated within microfluidic devices is of particular interest to the field of Origins of Life and Artificial Life. Whilst many efforts have been made aiming to construct cell-like compartments from modern biological constituents, these are usually very difficult to handle. However, microdroplets can be easily generated and manipulated at kHz rates, making it suitable for high-throughput experimentation and analysis of compartmentalised chemical reactions. Therefore, we decided to develop a microfluidic device capable of manipulating microdroplets in such a way that they could be efficiently mixed, split and sorted within iterative cycles. Since no microfluidic technology had been developed before in the Cronin Group, the first chapter of this thesis describes the soft lithographic methods and techniques developed to fabricate microfluidic devices. Also, special attention is placed on the generation of water-in-oil microdroplets, and the subsequent modules required for the manipulation of the droplets such as: droplet fusers, splitters, sorters and single/multi-layer micromechanical valves. Whilst the first part of this thesis describes the development of a microfluidic platform to assist chemical evolution, finding a compatible set of chemical building blocks capable of reacting to form complex molecules with endowed replicating or catalytic activity was challenging. Hence, the second part of this thesis focuses on potential chemistry that will ultimately possess the properties mentioned above. A special focus is placed on the formation of peptide bonds from unactivated amino acids, despite being one of the greatest challenges in prebiotic chemistry. As opposed to classic prebiotic experiments, in which a specific set of conditions is studied to fit a particular hypothesis, we took a different approach: we explored the effects of several parameters at once on a model polymerisation reaction, without constraints on hypotheses on the nature of optimum conditions or plausibility. This was facilitated by development of a new high-throughput automated platform, allowing the exploration of a much larger number of parameters. This led us to discover that peptide bond formation is less challenging than previously imagined. Having established the right set of conditions under which peptide bond formation was enhanced, we then explored the co-oligomerisation between different amino acids, aiming for the formation of heteropeptides with different structure or function. Finally, we studied the effect of various environmental conditions (rate of evaporation, presence of salts or minerals) in the final product distribution of our oligomeric products.
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Acevedo, Raymond. "Characteristics of independent living program participants and non-independent living program participants." CSUSB ScholarWorks, 2007. https://scholarworks.lib.csusb.edu/etd-project/3110.

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Cantillon, Sara. "Living standards within households : learning from non-monetary indicators." Thesis, University of Kent, 2005. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.411944.

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This dissertation focuses on the distribution of resources within Irish households and the implications of that distribution for the living standards of different household members. In most research on living standards, income inequality and poverty, the assumption is made that individuals living in the same household have the same standard of living. If however, different individuals within households actually experience different levels of well-being, this could have major implications for our understanding of poverty. In particular, conventional practice could lead to the extent and nature of gender differences in the experience of poverty being understated, to poverty for some children being obscured, and to the capacity of policy to improve living standards being seriously impaired. Non-monetary indicators of living standards and deprivation are increasingly being used in measuring household poverty. This study demonstrates their use in exploring differences in living standards within households. The aim of the present study was to develop a set of indicators suitable for the investigation of differences in living standards within the household - both differences between adults in a given household, and between adults and children - and to apply these indicators empirically to Ireland. This involved first designing a module of survey questions and refining them through focus group discussions with women experiencing poverty and social exclusion. The resulting set of questions was then included in the 1999 round of the Living in Ireland Survey. Research has then been carried out on the responses to this innovative set of specially-designed questions, focused on bringing out the scale and nature of differences within the household and teasing out the influences on the intra-household distribution of resources. In particular it looked at the role a woman's independent income might play and also at the impact of the presence of another adult at the interview. The results are revealing both in the specific Irish context and more broadly, from a methodological and substantive point of view.
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Zschille, Jana. "A non-native carnivore living in a cultural landscape." Doctoral thesis, Saechsische Landesbibliothek- Staats- und Universitaetsbibliothek Dresden, 2017. http://nbn-resolving.de/urn:nbn:de:bsz:14-qucosa-225104.

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Alongside the destruction of habitat, the impact of invasive alien species (IAS) is considered as one of the most important threats to global biodiversity. Therefore, international directives as well as national legislation call for measures to prevent the further spread of already established IAS as well as to limit their negative effects on native flora and fauna. This study deals with one of these non-native species – the American mink (Neovison vison). In order to get information about ecology and behaviour of this semiaquatic carnivore, a small population in a north German fishpond area, where mink has been spreading since the 1970s, was investigated. During the years 2003 to 2006 data about annual and circadian activity patterns, space use, territorial system as well as feeding habits and their variations during different seasons were collected. For this purpose, altogether 14 individuals (nine males, five females) were monitored using radio-telemetry. Based on the results, the potential impact of American mink on indigenous species was discussed and implications for mink control and management were deduced. American mink are difficult to radio tag. The small difference between their head and neck circumferences mean that the radio collars must be worn tightly to prevent loss. A methodological evaluation of conventional collar transmitters revealed that in six out of eight cases serious skin injuries on the necks were the consequences. Therefore, all radio collars were removed and radio transmitters were surgically implanted in the peritoneal cavity of mink by veterinarians. One male bit open the sutures and died after emergency surgery, but in 13 cases implantation did not affect survival or reproduction of the mink. With reference to animal welfare, intraperitoneal implantation of radio transmitters (in combination with observation and quarantine for several days after operation) instead of external radio collars were recommended for long term telemetry studies of American mink. Analyses of annual activity patterns revealed significant differences in seasonal activity rates. Both sexes reduced their average activity rates in cold winter months (October to February) to about 23 %. This energy-saving strategy is possible because of sufficient food availability, especially of fish, at this time. In March, male as well as female mink considerably increased their activity to almost 40 % due to the mating season. In summer months, during the pup-raising period (May to August), female activity continued to be high (between 40 and 50 %). However, male mink which are not involved in rearing the young, were less active (about 30 %) until July. But in August and September, the time of juvenile dispersal followed by changes in the territorial system and intraspecific aggression, activity rates of males increased again up to 43 %. Circadian activity rhythms differed markedly between sexes. All investigated females exhibited a perennial diurnal pattern. Three of five investigated male mink showed typical nocturnal activity throughout the year. Two males displayed arrhythmic behaviour; they did not prefer any time of the day for activity. On the one hand, gender differences in annual as well as circadian activity patterns of American mink reflect the diversity in ecological constraints, primarily the investment into reproduction. On the other hand, the different temporal strategies of sexes may have the potential to reduce intraspecific, especially intersexual competition. Investigating territorial systems and space use of mink, in comparison to other European studies, relatively large home ranges combined with a quite low population density were observed. In summer months male mink used on average 15.4 km length of waterway and female mink used on average 9.3 km length of waterway. In accordance with the trend of activity rates, male and female mink reduced their large summer home ranges by more than half during the cold winter period. But all-season male mink used significantly larger areas than female mink. High intersexual overlapping rates of home ranges and low levels of intrasexual overlapping of neighbouring home ranges confirm intrasexual territoriality of American mink. Probably, the low population density (0.6-0.7 individuals/km2) allows such high variations in seasonal and sexual home range size. During the mating season males considerably enlarged their home ranges and roamed nearly through the entire study area in search of receptive females. The shifting of stable temporary home ranges observed within one season or between the same seasons of consecutive years demonstrates the highly dynamic nature of spatial behaviour among American mink. The recorded characteristic features of spatial and temporal behaviour should be considered when planning monitoring- and management measures of this invasive carnivore. For instance, the reduced home ranges and activity rates during winter months should be taken into account in mink trapping projects. Analyses of more than 2500 scatsamples of radio tracked mink show that investigated animals principally prey on fish, small mammals and birds (eggs inclusive). There were significant seasonal variations of diet composition. In spring, the three categories of prey - fish, mammals and birds (eggs inclusive) - were hunted in similar amounts. During summer, birds and their eggs made up the main part of the diet followed by mammals. In autumn, the proportion of birds in the mink diet decreased, whereas fish gained in importance. This trend continued during the winter period, when mink preyed almost exclusively on fish. Throughout the entire year amphibians, crustaceans, insects, molluscs and reptiles were found only occasionally in scatsamples. Among birds, the mink preyed mainly on the Eurasian Coot (Fulica atra) followed by the Mallard (Anas platyrhynchos). Mammalian prey was clearly dominated by the water vole (Arvicola terrestris) and among fish, mink hunted especially perch (Perca fluviatilis), roach (Rutilus rutilus) and carp (Cyprinus carpio). Results clearly demonstrate that mink is an opportunistic predator, which hunts its prey according to availability and vulnerability, respectively. Despite the high portions of fish in the autumn and winter diet, the economic damage to fishery caused by mink seems to be low. Perch and roach were preyed on in higher frequencies than the carp which is economically relevant. However, high predation on birds and their eggs during the breeding season indicates a potential negative impact of mink on waterfowl. To summarise, it can be noted that characteristic features of the anthropogenically influenced study area affect feeding habits, activity patterns, space use and density of local mink population. In this regard the management of fishponds, which influences seasonal availability of habitat- and food resources for mink, plays an important role. American mink is regarded as “invasive”, because a negative impact on native species has been proved by several European studies. Consequently, this study recommends management with a focus on effective monitoring and, if necessary, control or exclusion measures adapted to the specific local requirements. Furthermore, to prevent additional introductions into the wild, the still existing farms have to be protected against outbreaks and liberations. In the long term, a general ban on the trade and keeping of American mink would be desirable
Der Einfluss invasiver, gebietsfremder Arten wird neben der Habitatzerstörung als eine der größten Gefährdungen der Biodiversität weltweit angesehen. Sowohl internationale Umweltvereinbarungen als auch die nationale Gesetzgebung fordern daher Maßnahmen, die eine weitere Ausbreitung bereits etablierter invasiver Neozoen verhindern und deren negative Einflüsse minimieren. Die vorliegende Studie befasst sich mit einer dieser Neozoen - dem Amerikanischen Nerz bzw. Mink (Neovison vison). Um Erkenntnisse zu Ökologie und Verhalten des semiaquatischen Musteliden in Deutschland zu gewinnen, wurden Daten zu tages- und jahreszeitlichen Aktivitätsmustern, zu Raumnutzung und Territorialsystem sowie zur Nahrungswahl und den jahreszeitlichen Unterschieden im Beutespektrum der Art erhoben. Dafür konnten in den Jahren 2003 bis 2006 in einem Fischteich-Gebiet in Mecklenburg-Vorpommern, wo sich Minke bereits seit den 1970er Jahren etabliert haben, insgesamt 14 Individuen (neun Männchen, fünf Weibchen) radiotelemetrisch überwacht werden. Anhand der Ergebnisse wird einerseits der potentielle Einfluss des gebietsfremden Raubsäugers auf einheimische Arten abgeschätzt und diskutiert. Andererseits werden die Ergebnisse herangezogen, um effektive Monitoring- und Managementmaßnahmen abzuleiten. Eine methodische Evaluation von Halsbandsendern zeigte, dass in sechs von acht Fällen die getesteten Halsbänder, die aufgrund des sehr ähnlichen Hals-Kopf-Umfanges der Individuen relativ eng angelegt werden müssen, Hautverletzungen verursachten. Infolgedessen wurden die Halsbandsender gegen durch Tierärzte operativ in die Bauchhöhle eingesetzte Implantationssender ausgetauscht. Auch bei allen nachfolgend gefangenen Tieren wurden die Sender implantiert. Bei insgesamt 14 durchgeführten Erstimplantationen beeinflussten mit Ausnahme eines Falles (Tod durch Aufbeißen der Naht) die Implantate weder das Überleben, noch die Reproduktion der Minke. Daher ist v.a. in Hinblick auf Tierschutzaspekte die Senderimplantation (in Kombination mit einer Mehrtages-Quarantäne) anstatt der Verwendung von externen Halsbandsendern zu empfehlen. Die Analyse der circannuellen Aktivitätsmuster ergab signifikante Unterschiede der saisonalen Aktivitätsraten. Während der kalten Wintermonate (Oktober bis Februar) zeigten beide Geschlechter mit durchschnittlich etwa 23 % eine vergleichsweise geringe Aktivität. Diese energiesparende Verhaltensweise war möglich, da auch im Winter ein ausreichend hohes Nahrungsangebot, vor allem an Fisch, vorhanden war. Im März kam es sowohl bei den Männchen als auch bei den Weibchen zu einem durch die Paarungszeit verursachten, beträchtlichen Anstieg der mittleren Aktivitätsraten auf fast 40 %. In den Sommermonaten (Mai bis August) waren die weiblichen Tiere, durch die Anforderungen der Jungenaufzucht bedingt, anhaltend häufig aktiv (zwischen 40 und 50 %). Die Aktivitätsraten der nicht an der Jungenaufzucht beteiligten Männchen dagegen nahmen im April wieder ab, um bis zum Juli auf einem vergleichsweise geringen Niveau von etwa 30 % zu bleiben. Sie stiegen jedoch während der Monate August und September erneut auf etwa 43 % an. Zu dieser Zeit wandern gewöhnlich die Jungtiere ab und suchen sich ein eigenes Streifgebiet (= Aktionsraum), dadurch kommt es zu Änderungen im Territorialsystem und damit einhergehenden innerartlichen Auseinandersetzungen. Beide Geschlechter unterscheiden sich stark in ihren tageszeitlichen Aktivitätsrhythmen. Alle Weibchen waren ganzjährig tagaktiv. Von den fünf untersuchten Männchen zeigten drei typische Nachtaktivität im gesamten Jahresverlauf. Die beiden anderen männlichen Tiere verhielten sich in ihren Aktivitätsrhythmen indifferent, sie zeigten das ganze Jahr über keine Präferenzen für eine bestimmte Tageszeit. Die geschlechtsspezifischen Unterschiede sowohl in den circannuellen als auch in den circadianen Aktivitätsmustern spiegeln zum einen die verschiedenen Anforderungen an die Geschlechter wieder, vor allem die Investitionen in die Fortpflanzung. Zum anderen können die geschlechtsspezifisch unterschiedlichen Zeitnutzungs-Strategien zu einer Minimierung der innerartlichen, vorzugsweise der intersexuellen Konkurrenz führen. Die Analyse der Telemetriedaten hinsichtlich Raumnutzung und Territorialsystem ergab im Vergleich zu anderen europäischen Studien relativ große individuelle Aktionsräume verbunden mit einer geringen Populationsdichte im Untersuchungsgebiet. So erstreckten sich die durchschnittlich genutzten Sommerstreifgebiete der Männchen auf 15,4 km und die der Weibchen auf 9,3 km Flusslauf bzw. Teichufer. Entsprechend dem Trend der saisonalen Aktivitätsmuster, reduzierten beide Geschlechter ihre großen Sommerstreifgebiete während der Winterhalbjahre um mehr als die Hälfte der Fläche. Allerdings nutzten die Männchen zu allen Jahreszeiten wesentlich größere Aktionsräume als die weiblichen Minke. Große Streifgebietsüberlappungen zwischen den Geschlechtern sowie verhältnismäßig niedrige Überlappungsraten der benachbarten Streifgebiete von Tieren des gleichen Geschlechts bestätigen die intrasexuelle Territorialität der Art. Die erheblichen Unterschiede der saisonalen und geschlechtsspezifischen Aktionsraumgrößen werden vermutlich durch die ermittelte, vergleichsweise geringe Populationsdichte (0,6-0,7 Individuen/km2) ermöglicht. Die ausgedehnte und sich fast über das gesamte Untersuchungsgebiet erstreckende Raumnutzung der Männchen während der Paarungszeit ist durch die Suche nach fortpflanzungsbereiten Weibchen bedingt. Die Raumnutzung der untersuchten Minke unterliegt einer hohen Dynamik, dies wird durch die häufige räumliche Verschiebung temporär stabiler Streifgebiete innerhalb einer Jahreszeit oder auch zwischen den gleichen Jahreszeiten aufeinanderfolgender Jahre verdeutlicht. All diese ermittelten charakteristischen Besonderheiten im Raum-Zeit-Verhalten der Art sollten bei der Entwicklung von Monitoring- und Managementkonzepten berücksichtigt werden. So müssen beispielsweise bei der Fallenjagd im Winter die zu dieser Zeit stark verkleinerten Streifgebiete und die reduzierten Aktivitätsraten Beachtung finden. Die Analyse der über 2500 Losungsproben telemetrierter Minke zeigte, dass sich die untersuchten Tiere hauptsächlich von Fisch, Kleinsäugern und Vögeln (inklusive deren Eiern) ernährten. Dabei traten allerdings signifikante saisonale Unterschiede in der Nahrungs-zusammensetzung auf. So wurden im Frühjahr die drei Beutekategorien Fisch, Kleinsäuger sowie Vögel und deren Eier in ähnlichen Anteilen erbeutet. Während des Sommers bildeten Vögel und Vogeleier die Hauptbeute, gefolgt von Kleinsäugern. Im Herbst verringerte sich der Vogel- und Kleinsäugeranteil im Beutespektrum zugunsten von Fisch. Dieser Trend setzte sich bis in den Winter fort; in dieser Jahreszeit ernährten sich die Minke fast ausschließlich von Fisch. Amphibien, Reptilien, Krebstiere, Insekten und Mollusken wurden im gesamten Jahresverlauf nur gelegentlich gefressen. Innerhalb der Gruppe der Vögel prädierten die Minke vor allem Blässhühner (Fulica atra), gefolgt von Stockenten (Anas platyrhynchos). Das Kleinsäuger-Beutespektrum wurde eindeutig von der Schermaus (Arvicola terrestris) dominiert und unter den Fischen erbeuteten die Minke vorzugsweise Flussbarsche (Perca fluviatilis), Plötzen (Rutilus rutilus) und Karpfen (Cyprinus carpio). Die Ergebnisse der Nahrungsanalyse bestätigen den Mink als einen opportunistischen Prädator, der seine Beutetiere je nach Verfügbarkeit bzw. dem erforderlichen Jagdaufwand nutzt. Trotz des hohen Fischanteils in der Herbst- und Winternahrung ist der durch den Mink verursachte ökonomische Schaden schätzungsweise relativ gering. Flussbarsch und Plötze wurden in höheren Frequenzanteilen erbeutet als der wirtschaftlich relevante Karpfen. Die starke Prädation von Wasservögeln und deren Eiern besonders in den Frühjahrs- und Sommermonaten weist allerdings auf einen potentiell negativen Einfluss des invasiven Raubsäugers auf diese Tiergruppe hin. Zusammenfassend lässt sich festhalten, dass die spezifischen Charakteristika des anthropogen geprägten Untersuchungsgebietes sowohl Nahrungsökologie und Aktivitätsmuster als auch Raumnutzung und Populationsdichte der lokalen Minkpopulation beeinflussen. Eine besondere Rolle hierbei spielt die Bewirtschaftung der Fischteiche, denn vor allem daraus resultiert für die Minke eine saisonal unterschiedliche Verfügbarkeit an Lebensraum und Nahrung. Negative Auswirkungen des Amerikanischen Nerzes auf die einheimische Tierwelt wurden in anderen europäischen Ländern belegt und rechtfertigen die Einstufung dieser Art als „invasiv“. Demzufolge wird in der vorliegenden Arbeit ein Management empfohlen, bei dem der Focus auf einem effektiven Monitoring und gegebenenfalls auf zweckmäßigen, an die lokalen Bedingungen angepassten Fang- oder Abwehrmaßnahmen liegt. Zudem sollten, um einer weiteren Ausbringung in das Freiland vorzubeugen, die wenigen noch existierenden Minkfarmen besser gegen Ausbrüche bzw. Freilassungsaktionen gesichert werden. Langfristig ist ein generelles Besitz- und Vermarktungsverbot für die Art wünschenswert
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Dykstra, Christine M. "Decolorization of an azo and anthraquinone textile dye by a mixture of living and non-living Trametes versicolor fungus." Honors in the Major Thesis, University of Central Florida, 2011. http://digital.library.ucf.edu/cdm/ref/collection/ETH/id/375.

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Wastewater from the textile industry is difficult to treat effectively due to the prevalent use and wide variety of synthetic dyes that are resistant to conventional treatment methods. White-rot fungi, such as Trametes versicolor, have been found to be effective in decolorizing many of these synthetic dyes and current research is focusing on their application to wastewater treatment. Although numerous studies have been conducted on the ability of both living and nonliving Trametes versicolor to separately decolorize textile dyes, no studies were found to have investigated the use of a mixture of live and dead fungus for decolorization. This study explored potential interactions between live and dead, autoclaved Trametes versicolor biomass in a mixed system by utilizing a series of batch tests with two structurally different synthetic textile dyes. Samples were analyzed by spectrophotometer and compared with controls to determine the effect of any interactions on decolorization. The results of this study indicate that an interaction between living and nonliving biomass occurred that affected the specific dye removal for both Reactive Blue 19, an anthraquinone textile dye, and Reactive Orange 16, an azo textile dye. This interaction was seen to improve the specific dye removal during the first 10-46 hours of experimentation but then diminish the specific dye removal after this period. This effect could be due to hydrophobins, which are surface-active proteins excreted by live fungi that may alter hydrophobicity. Additionally, the presence of adsorptive dead biomass could affect dye contact with degrading enzymes released from the live fungus. By expanding current knowledge of the interactions that take place in a fungal bioreactor and their effect on textile dye decolorization, this research aims to inspire more effective and less costly bioreactor designs for the treatment of textile wastewater.
B.S.Env.E.
Bachelors
Engineering and Computer Science
Environmental Engineering
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Dando, Robin. "Non-invasive manipulation of membrane potential in intact living cells." [Tampa, Fla] : University of South Florida, 2007. http://purl.fcla.edu/usf/dc/et/SFE0002171.

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Patel, Manishkumar Ramanbhai. "Non-invasive imaging of T cell activation in living mice." Diss., Restricted to subscribing institutions, 2008. http://proquest.umi.com/pqdweb?did=1481678061&sid=1&Fmt=2&clientId=1564&RQT=309&VName=PQD.

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Kalghatgi, Sameer Ulhas Friedman Gary. "Mechanisms of interaction of non-thermal plasma with living cells /." Philadelphia, Pa. : Drexel University, 2010. http://hdl.handle.net/1860/3208.

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Howard-Jones, Michelle Hope. "Differentiating between living and non-living prokaryotic cells : development, evaluation, and application of a modified vital stain and probe method (mVSP)." Diss., Georgia Institute of Technology, 2002. http://hdl.handle.net/1853/25385.

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Mather, Brian Douglas. "Non-Covalent Interactions in Block Copolymers Synthesized via Living Polymerization Techniques." Diss., Virginia Tech, 2007. http://hdl.handle.net/10919/27068.

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Non-covalent interactions including nucleobase hydrogen bonding and ionic aggregation were studied in block and end-functional polymers synthesized via living polymerization techniques such as nitroxide mediated polymerization and anionic polymerization. The influence of non-covalent association on the structure/property relationships of these materials were studied in terms of physical properties (tensile, DMA, rheology) as well as morphological studies (AFM, SAXS). Hydrogen bonding, a dynamic interaction with intermediate enthalpies (10-40 kJ/mol) was introduced through complementary heterocyclic DNA nucleobases such as adenine, thymine and uracil. Hydrogen bonding uracil end-functionalized polystyrenes and poly(alkyl acrylate)s were synthesized via nitroxide mediated polymerization from novel uracil-functionalized alkoxyamine unimolecular initiators. Terminal functionalization of poly(alkyl acrylate)s with hydrogen bonding groups increased the melt viscosity, and as expected, the viscosity approached that of nonfunctional analogs as temperature increased. A novel difunctional alkoxyamine, DEPN2, was synthesized and utilized as an efficient initiator in nitroxide-mediated controlled radical polymerization of triblock copolymers. Complementary hydrogen bonding triblock copolymers containing adenine (A) and thymine (T) nucleobase-functionalized outer blocks were synthesized. Hydrogen bonding interactions were observed for blends of the complementary nucleobase-functionalized block copolymers in terms of increased specific viscosity as well as higher scaling exponents for viscosity with solution concentration. Multiple hydrogen bonding interactions were utilized to attach nucleobase-functional quaternary phosphonium ionic guests to complementary adenine-functionalized triblock copolymers. Ionic interactions, which possess stronger interaction energies than hydrogen bonds (~150 kJ/mol) were studied in the context of sulfonated poly(styrene-b-ethylene-co-propylene-b-styrene) block copolymers. Strong ionic interactions resulted in the development of a microphase separated physical network and greater extents for the rubbery plateau in DMA analysis compared to sulfonic acid groups, which exhibit weak hydrogen bonnding interactions. In contrast to the physical networks consisting of sulfonated or hydrogen bonding block copolymers, covalent networks were synthesized using carbon-Michael addition chemistry of acetoacetate functionalized telechelic oligomers to diacrylate Michael acceptors. The thermomechanical properties of the networks based on poly(propylene glycol) oligomers were analyzed with respect to the molecular weight between crosslink points (Mc) and the critical molecular weight for entanglement (Me).
Ph. D.
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Books on the topic "Living and non-living"

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Living and non-living. Oxford: Heinemann Library, 2008.

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Bhardwaj, Arya Bhushan. Living non-violence. New Delhi: Today's & Tomorrow's Printers & Publishers, 1986.

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Living and non-living in the ocean. London: Raintree, 2013.

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The non-lawyers living trust kit. Tucson, AZ: Alpha Publications of America, 1992.

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The non-lawyers living trust kit. Tucson, AZ: Alpha Publications of America, 1993.

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Living in space: Fast lane silver non-fiction. [Place of publication not identified]: Oxford University Press, 2014.

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Nilsson, Per. Non serviam: Philosophical essays on arts of living. Umeå, Sweden: h:ström, 2015.

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Roberts, Holly Harlayne. Gandhi, the vegetarian: Gandhi's message of non-violence, non-abundance, and non-merciful living. [S.l.]: Anjeli Press, 2007.

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Holland, Paula. Managing non living resources in the Pacific through economics. Suva, Fiji Islands]: SOPAC, 2006.

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Kenyon-Smith, Alec. Exclusive economic zones: A review of non-living resources. Cranfield, Bedford, UK: BHRA (Information Services), The Fluid Engineering Centre, 1989.

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Book chapters on the topic "Living and non-living"

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Khachatryan, Arbak, Artur Tevosyan, David Novoselskiy, Gevorg Arakelyan, Alexey Yushkevich, and David Nazaretovich Nazarian. "Non-living Artificial Models." In Microsurgery Manual for Medical Students and Residents, 69–77. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-73531-9_9.

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Čejková, Jitka, Silvia Holler, To Quyen Nguyenová, Christian Kerrigan, František Štěpánek, and Martin M. Hanczyc. "Chemotaxis and Chemokinesis of Living and Non-living Objects." In Emergence, Complexity and Computation, 245–60. Cham: Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-33921-4_11.

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Perez, José Angel A., José Gustavo Natorf Abreu, André Oliveira de Souza Lima, Marcus Adonai Castro da Silva, Luis Henrique Polido de Souza, and Angelo Fraga Bernardino. "Living and Non-living Resources in Brazilian Deep Waters." In Brazilian Marine Biodiversity, 217–53. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-53222-2_8.

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Hearn, Walter R. "The Formation of Living Organisms From Non-Living Systems*." In Creation and Evolution in the Early American Scientific Affiliation, 383–89. London: Routledge, 2021. http://dx.doi.org/10.4324/9781003007357-45.

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Rauterberg, Matthias. "About Non-living Things and Living Systems as Cultural Determinants." In Culture and Computing, 445–63. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-031-05434-1_30.

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Phillips, D. H., and D. A. Burdekin. "Disorders caused by non-living agents." In Diseases of Forest and Ornamental Trees, 21–53. London: Palgrave Macmillan UK, 1992. http://dx.doi.org/10.1007/978-1-349-10953-1_2.

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Omstedt, Anders. "Non-living Ocean Resources and Hope." In A Philosophical View of the Ocean and Humanity, 69–73. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-36680-3_12.

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Mumford, Lorna. "Living Non-religious Identity in London." In Boundaries of Religious Freedom: Regulating Religion in Diverse Societies, 153–70. Cham: Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-09602-5_10.

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Plonska, Ola, and Younes Saramifar. "Living in a Non-human’s World." In The Urban Gardens of Havana, 61–87. Cham: Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-12657-5_4.

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Korthals, Michiel. "Humanity in the Living, the Living in Humans." In The International Library of Environmental, Agricultural and Food Ethics, 141–54. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-63523-7_8.

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AbstractRecent studies in biology, ecology, and medicine make it clear that relationships between living organisms are complex and comprise different forms of collaboration and communication in particular in getting food. It turns even out that relations of collaboration and valuing are more important than those of aggression and predation. I will outline the ways organisms select and value specific items in their network of living and non-living entities. No organism eats everything; all organisms prefer certain foods, companions, and habitats. Relations between organisms are established on the basis of communication, exchange of signs, actions and goods, through mutual learning processes on all levels of life. Micro, meso and macro organisms participate in this process of valuing and communication. Animals and plants therefore show features that were traditionally attributed only to humans, like selfless assistance. The usual distinction between humans and other living beings on the basis of human’s sensitivity for altruism, language and values crumbles down due to the circumstance that also non-human living beings are prone to selfless assistance, communication and valuing.
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Conference papers on the topic "Living and non-living"

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Grechenko, Tatiana. "ELECTRIC INTERACTIONS OF LIVING AND NON-LIVING OBJECTS." In XV International interdisciplinary congress "Neuroscience for Medicine and Psychology". LLC MAKS Press, 2019. http://dx.doi.org/10.29003/m369.sudak.ns2019-15/148-149.

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Mapelli, I., and T. E. Ozkurt. "Classification of living and non-living objects from MEG recordings." In 2013 21st Signal Processing and Communications Applications Conference (SIU). IEEE, 2013. http://dx.doi.org/10.1109/siu.2013.6531544.

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Nirere, Adria, Jun Sun, Xin Zhou, Kunshan Yao, Ningqiu Tang, and Ahmad Hussain. "Identification of living and non-living watermelon seeds based on Hyperspectral Imaging Technology." In 2021 33rd Chinese Control and Decision Conference (CCDC). IEEE, 2021. http://dx.doi.org/10.1109/ccdc52312.2021.9602433.

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Rudrappa, Manjunath Thindlu, Reinhold Herschel, and Peter Knott. "Distinguishing living and non living subjects in a scene based on vital parameter estimation." In 2020 17th European Radar Conference (EuRAD). IEEE, 2021. http://dx.doi.org/10.1109/eurad48048.2021.00025.

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Shaov, Mukhamed, and Olga Pshikova. "NEUROINFORMATION TECHNOLOGIES OF COMBUSTION CONTROL IN LIVING AND NON-LIVING SYSTEMS BIOMEDICAL AND STRATEGIC PROPERTIES." In XVI International interdisciplinary congress "Neuroscience for Medicine and Psychology". LLC MAKS Press, 2020. http://dx.doi.org/10.29003/m1341.sudak.ns2020-16/524-525.

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Brook, Ava, Ananya Gandhi, Sophia Ginet, Justin Ma, and Kirmina Monir. "Combining the Power of Living Cells and Non-living Catalysts for the Production of Valuable Chemicals." In 2019 IEEE MIT Undergraduate Research Technology Conference (URTC). IEEE, 2019. http://dx.doi.org/10.1109/urtc49097.2019.9660602.

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Ishii, Tatsunori, and Katsumi Watanabe. "How People Attribute Minds to Non-Living Entities." In 2019 11th International Conference on Knowledge and Smart Technology (KST). IEEE, 2019. http://dx.doi.org/10.1109/kst.2019.8687324.

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Bayraktar, Şule, and Zeynep Kuvvet. "PRESCHOOL CHILDREN’S IDEAS ABOUT LIVING THINGS." In Proceedings of the 2nd International Baltic Symposium on Science and Technology Education (BalticSTE2017). Scientia Socialis Ltd., 2017. http://dx.doi.org/10.33225/balticste/2017.15.

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The purpose of this research is to examine pre-school children’s ideas about living and non-living things. Children were asked to determine whether particular objects in the pictures shown to them are living or non-living and asked to explain why they think so. The results of the research showed that majority of children can classify living and non-living things correctly and know that motion is a characteristic of a living thing. However, they held some alternative conceptions on the subject. Keywords: living things, alternative conceptions, pre-school children, science education.
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Altini, Marco, Elisa Rossetti, Michiel J. Rooijakkers, and Julien Penders. "Towards Non-invasive Labour Detection: A Free-Living Evaluation." In 2018 40th Annual International Conference of the IEEE Engineering in Medicine and Biology Society (EMBC). IEEE, 2018. http://dx.doi.org/10.1109/embc.2018.8512964.

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Tavella, Michele, Robert Leeb, Rudiger Rupp, and Jose del R. Millan. "Towards natural non-invasive hand neuroprostheses for daily living." In 2010 32nd Annual International Conference of the IEEE Engineering in Medicine and Biology Society (EMBC 2010). IEEE, 2010. http://dx.doi.org/10.1109/iembs.2010.5627178.

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Reports on the topic "Living and non-living"

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Handbury, Jessie. Are Poor Cities Cheap for Everyone? Non-Homotheticity and the Cost of Living Across U.S. Cities. Cambridge, MA: National Bureau of Economic Research, December 2019. http://dx.doi.org/10.3386/w26574.

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Bando, Rosangela, Sebastián Galiani, and Paul Gertler. Another Brick on the Wall: On the Effects of Non-Contributory Pensions on Material and Subjective Well Being. Inter-American Development Bank, March 2021. http://dx.doi.org/10.18235/0003082.

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Public expenditures on non-contributory pensions are equivalent to at least 1 percent of GDP in several countries in Latin America and is expected to increase. We explore the effect of non-contributory pensions on the well-being of the beneficiary population by studying the "Pensiones Alimentarias" program established by law in Paraguay, which targets older adults living in poverty. Households with a beneficiary increased their level of consumption by 44 percent. The program improved subjective well-being in 0.48 standard deviations. These effects are consistent with the findings of Bando, Galiani and Gertler (2020) and Galiani, Gertler and Bando (2016) in their studies on the non-contributory pension schemes in Peru and Mexico. Thus, we conclude that the effects of non-contributory pensions on well-being in Paraguay are comparable to those found for Peru and Mexico and add to the construction of external validity.
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Weinschenk, Craig, and Jack Regan. Analysis of Search and Rescue Tactics in Single-Story Single-Family Homes Part II: Kitchen and Living Room Fires. UL's Fire Safety Research Institute, May 2022. http://dx.doi.org/10.54206/102376/zkxw6893.

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Prior full-scale fire service research on the residential fireground has focused the impact of ventilation and suppression tactics on fire dynamics. This study builds upon prior research by conducting 10 experiments a purpose-built single-story, single-family residential structure to quantify the im- pact of how search and rescue tactics are coupled with ventilation and suppression actions and timing. Each fully furnished structure included four bedrooms, 2 bathrooms and an open-floor kitchen and living room. The structures were instrumented to quantify post-ignition toxic gas and thermal conditions. Temperature, velocity, and pressure were measured to evaluate the fire dynamics. Gas concentrations and heat fluxes were measured to quantify toxic and thermal exposures. Across this series of experiments, the impact of isolation of fire and non-fire compartments, the timing of search actions relative to suppression actions, and the influence of isolation, elevation, and path of travel during rescue were examined with respect to firefighter safety and occupant tenability. Similar to previous experiments in both purpose-built and acquired structure, the data showed that prior intervention locations lower in elevation and/or behind closed doors had lower toxic gas and thermal exposures compared to locations at higher elevations or locations that were not isolated. Lower elevations were also shown to have lower toxic gas and thermal exposures during the removal of occupants as part of rescue operations. For scenarios where search operations occurred prior to suppression, isolation of spaces from flow paths connected to the fire compartment was shown to be effective at reducing the thermal operating class for firefighters and the toxic and thermal exposure rates compared to spaces that were not isolated. Following isolation, exterior ventilation was found to further reduce the toxic gas and thermal exposures in the protected space. Suppression, from either interior and exterior positions, was effective at reducing the thermal operating class for searching firefighters and the rate of thermal exposure increase to occupants. Following suppression, additional exterior ventilation increased the rate at which gas concentrations returned to pre-ignition levels.
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Michalak, Julia, Josh Lawler, John Gross, and Caitlin Littlefield. A strategic analysis of climate vulnerability of national park resources and values. National Park Service, September 2021. http://dx.doi.org/10.36967/nrr-2287214.

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The U.S. national parks have experienced significant climate-change impacts and rapid, on-going changes are expected to continue. Despite the significant climate-change vulnerabilities facing parks, relatively few parks have conducted comprehensive climate-change vulnerability assessments, defined as assessments that synthesize vulnerability information from a wide range of sources, identify key climate-change impacts, and prioritize vulnerable park resources (Michalak et al. In review). In recognition that funding and planning capacity is limited, this project was initiated to identify geographies, parks, and issues that are high priorities for conducting climate-change vulnerability assessments (CCVA) and strategies to efficiently address the need for CCVAs across all U.S. National Park Service (NPS) park units (hereafter “parks”) and all resources. To help identify priority geographies and issues, we quantitatively assessed the relative magnitude of vulnerability factors potentially affecting park resources and values. We identified multiple vulnerability factors (e.g., temperature change, wildfire potential, number of at-risk species, etc.) and sought existing datasets that could be developed into indicators of these factors. To be included in the study, datasets had to be spatially explicit or already summarized for individual parks and provide consistent data for at least all parks within the contiguous U.S. (CONUS). The need for consistent data across such a large geographic extent limited the number of datasets that could be included, excluded some important drivers of climate-change vulnerability, and prevented adequate evaluation of some geographies. The lack of adequately-scaled data for many key vulnerability factors, such as freshwater flooding risks and increased storm activity, highlights the need for both data development and more detailed vulnerability assessments at local to regional scales where data for these factors may be available. In addition, most of the available data at this scale were related to climate-change exposures, with relatively little data available for factors associated with climate-change sensitivity or adaptive capacity. In particular, we lacked consistent data on the distribution or abundance of cultural resources or accessible data on infrastructure across all parks. We identified resource types, geographies, and critical vulnerability factors that lacked data for NPS’ consideration in addressing data gaps. Forty-seven indicators met our criteria, and these were combined into 21 climate-change vulnerability factors. Twenty-seven indicators representing 12 vulnerability factors addressed climate-change exposure (i.e., projected changes in climate conditions and impacts). A smaller number of indictors measured sensitivity (12 indicators representing 5 vulnerability factors). The sensitivity indicators often measured park or landscape characteristics which may make resources more or less responsive to climate changes (e.g., current air quality) as opposed to directly representing the sensitivity of specific resources within the park (e.g., a particular rare species or type of historical structure). Finally, 6 indicators representing 4 vulnerability factors measured external adaptive capacity for living resources (i.e., characteristics of the park and/or surrounding landscape which may facilitate or impede species adaptation to climate changes). We identified indicators relevant to three resource groups: terrestrial living, aquatic living (including living cultural resources such as culturally significant landscapes, plant, or animal species) and non-living resources (including infrastructure and non-living cultural resources such as historic buildings or archeological sites). We created separate indicator lists for each of these resource groups and analyzed them separately. To identify priority geographies within CONUS,...
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Lazdane, Gunta, Dace Rezeberga, Ieva Briedite, Elizabete Pumpure, Ieva Pitkevica, Darja Mihailova, and Marta Laura Gravina. Sexual and reproductive health in the time of COVID-19 in Latvia, qualitative research interviews and focus group discussions, 2020 (in Latvian). Rīga Stradiņš University, February 2021. http://dx.doi.org/10.25143/fk2/lxku5a.

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Qualitative research is focused on the influence of COVID-19 pandemic and restriction measures on sexual and reproductive health in Latvia. Results of the anonymous online survey (I-SHARE) of 1173 people living in Latvia age 18 and over were used as a background in finalization the interview and the focus group discussion protocols ensuring better understanding of the influencing factors. Protocols included 9 parts (0.Introduction. 1. COVID-19 general influence, 2. SRH, 3. Communication with health professionals, 4.Access to SRH services, 5.Communication with population incl. three target groups 5.1. Pregnant women, 5.2. People with suspected STIs, 5.3.Women, who require abortion, 6. HIV/COVID-19, 7. External support, 8. Conclusions and recommendations. Data include audiorecords in Latvian of: 1) 11 semi-structures interviews with policy makers including representatives from governmental and non-governmental organizations involved in sexual and reproductive health, information and health service provision. 2) 12 focus group discussions with pregnant women (1), women in postpartum period (3) and their partners (3), people living with HIV (1), health care providers involved in maternal health care and emergency health care for women (4) (2021-02-18) Subject: Medicine, Health and Life Sciences Keywords: Sexual and reproductive health, COVID-19, access to services, Latvia
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Hajarizadeh, Behzad, Jennifer MacLachlan, Benjamin Cowie, and Gregory J. Dore. Population-level interventions to improve the health outcomes of people living with hepatitis B: an Evidence Check brokered by the Sax Institute for the NSW Ministry of Health, 2022. The Sax Institute, August 2022. http://dx.doi.org/10.57022/pxwj3682.

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Background An estimated 292 million people are living with chronic hepatitis B virus (HBV) infection globally, including 223,000 people in Australia. HBV diagnosis and linkage of people living with HBV to clinical care is suboptimal in Australia, with 27% of people living with HBV undiagnosed and 77% not receiving regular HBV clinical care. This systematic review aimed to characterize population-level interventions implemented to enhance all components of HBV care cascade and analyse the effectiveness of interventions. Review questions Question 1: What population-level interventions, programs or policy approaches have been shown to be effective in reducing the incidence of hepatitis B; and that may not yet be fully rolled out or evaluated in Australia demonstrate early effectiveness, or promise, in reducing the incidence of hepatitis B? Question 2: What population-level interventions and/or programs are effective at reducing disease burden for people in the community with hepatitis B? Methods Four bibliographic databases and 21 grey literature sources were searched. Studies were eligible for inclusion if the study population included people with or at risk of chronic HBV, and the study conducted a population-level interventions to decrease HBV incidence or disease burden or to enhance any components of HBV care cascade (i.e., diagnosis, linkage to care, treatment initiation, adherence to clinical care), or HBV vaccination coverage. Studies published in the past 10 years (since January 2012), with or without comparison groups were eligible for inclusion. Studies conducting an HBV screening intervention were eligible if they reported proportion of people participating in screening, proportion of newly diagnosed HBV (participant was unaware of their HBV status), proportion of people received HBV vaccination following screening, or proportion of participants diagnosed with chronic HBV infection who were linked to HBV clinical care. Studies were excluded if study population was less than 20 participants, intervention included a pharmaceutical intervention or a hospital-based intervention, or study was implemented in limited clinical services. The records were initially screened by title and abstract. The full texts of potentially eligible records were reviewed, and eligible studies were selected for inclusion. For each study included in analysis, the study outcome and corresponding 95% confidence intervals (95%CIs) were calculated. For studies including a comparison group, odds ratio (OR) and corresponding 95%CIs were calculated. Random effect meta-analysis models were used to calculate the pooled study outcome estimates. Stratified analyses were conducted by study setting, study population, and intervention-specific characteristics. Key findings A total of 61 studies were included in the analysis. A large majority of studies (study n=48, 79%) included single-arm studies with no concurrent control, with seven (12%) randomised controlled trials, and six (10%) non-randomised controlled studies. A total of 109 interventions were evaluated in 61 included studies. On-site or outreach HBV screening and linkage to HBV clinical care coordination were the most frequent interventions, conducted in 27 and 26 studies, respectively. Question 1 We found no studies reporting HBV incidence as the study outcome. One study conducted in remote area demonstrated that an intervention including education of pregnant women and training village health volunteers enhanced coverage of HBV birth dose vaccination (93% post-intervention, vs. 81% pre-intervention), but no data of HBV incidence among infants were reported. Question 2 Study outcomes most relevant to the HBV burden for people in the community with HBV included, HBV diagnosis, linkage to HBV care, and HBV vaccination coverage. Among randomised controlled trials aimed at enhancing HBV screening, a meta-analysis was conducted including three studies which implemented an intervention including community face-to-face education focused on HBV and/or liver cancer among migrants from high HBV prevalence areas. This analysis demonstrated a significantly higher HBV testing uptake in intervention groups with the likelihood of HBV testing 3.6 times higher among those participating in education programs compared to the control groups (OR: 3.62, 95% CI 2.72, 4.88). In another analysis, including 25 studies evaluating an intervention to enhance HBV screening, a pooled estimate of 66% of participants received HBV testing following the study intervention (95%CI: 58-75%), with high heterogeneity across studies (range: 17-98%; I-square: 99.9%). A stratified analysis by HBV screening strategy demonstrated that in the studies providing participants with on-site HBV testing, the proportion receiving HBV testing (80%, 95%CI: 72-87%) was significantly higher compared to the studies referring participants to an external site for HBV testing (54%, 95%CI: 37-71%). In the studies implementing an intervention to enhance linkage of people diagnosed with HBV infection to clinical care, the interventions included different components and varied across studies. The most common component was post-test counselling followed by assistance with scheduling clinical appointments, conducted in 52% and 38% of the studies, respectively. In meta-analysis, a pooled estimate of 73% of people with HBV infection were linked to HBV clinical care (95%CI: 64-81%), with high heterogeneity across studies (range: 28-100%; I-square: 99.2%). A stratified analysis by study population demonstrated that in the studies among general population in high prevalence countries, 94% of people (95%CI: 88-100%) who received the study intervention were linked to care, significantly higher than 72% (95%CI: 61-83%) in studies among migrants from high prevalence area living in a country with low prevalence. In 19 studies, HBV vaccination uptake was assessed after an intervention, among which one study assessed birth dose vaccination among infants, one study assessed vaccination in elementary school children and 17 studies assessed vaccination in adults. Among studies assessing adult vaccination, a pooled estimate of 38% (95%CI: 21-56%) of people initiated vaccination, with high heterogeneity across studies (range: 0.5-93%; I square: 99.9%). A stratified analysis by HBV vaccination strategy demonstrated that in the studies providing on-site vaccination, the uptake was 78% (95%CI: 62-94%), significantly higher compared to 27% (95%CI: 13-42%) in studies referring participants to an external site for vaccination. Conclusion This systematic review identified a wide variety of interventions, mostly multi-component interventions, to enhance HBV screening, linkage to HBV clinical care, and HBV vaccination coverage. High heterogeneity was observed in effectiveness of interventions in all three domains of screening, linkage to care, and vaccination. Strategies identified to boost the effectiveness of interventions included providing on-site HBV testing and vaccination (versus referral for testing and vaccination) and including community education focussed on HBV or liver cancer in an HBV screening program. Further studies are needed to evaluate the effectiveness of more novel interventions (e.g., point of care testing) and interventions specifically including Indigenous populations, people who inject drugs, men who have sex with men, and people incarcerated.
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LI, Zhendong, Hangjian Qiu, xiaoqian Wang, chengcheng Zhang, and Yuejuan Zhang. Comparative Efficacy of 5 non-pharmaceutical Therapies For Adults With Post-stroke Cognitive Impairment: Protocol For A Bayesian Network Analysis Based on 55 Randomized Controlled Trials. INPLASY - International Platform of Registered Systematic Review and Meta-analysis Protocols, June 2022. http://dx.doi.org/10.37766/inplasy2022.6.0036.

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Review question / Objective: This study will provide evidence-based references for the efficacy of 5 different non-pharmaceutical therapies in the treatment of post-stroke cognitive impairment(PSCI). 1. Types of studies. Only randomized controlled trials (RCTs) of Transcranial Magnetic Stimulation(TMS), Transcranial Direct Current Stimulation(tDCS), Acupuncture, Virtual Reality Exposure Therapy(VR) and Computer-assisted cognitive rehabilitation(CA) for PSCI will be recruited. Additionally, Studies should be available in full papers as well as peer reviewed and the original data should be clear and adequate. 2. Types of participants. All adults with a recent or previous history of ischaemic or hemorrhagic stroke and diagnosed according to clearly defined or internationally recognized diagnostic criteria, regardless of nationality, race, sex, age, or educational background. 3.Types of interventions and controls. The control group takes non-acupuncture treatment, including conventional rehabilitation or in combination with symptomatic support therapy. The experimental group should be treated with acupuncture on basis of the control group. 4.The interventions of the experimental groups were Transcranial Magnetic Stimulation(TMS), Transcranial Direct Current Stimulation(tDCS), Acupuncture, Virtual Reality Exposure Therapy(VR) or Computer-assisted cognitive rehabilitation(CA), and the interventions of the control group takes routine rehabilitation and cognition training or other therapies mentioned above that were different from the intervention group. 5.Types of outcomes. The primary outcomes are measured with The Mini-Mental State Examination (MMSE) and/or The Montreal Cognitive Assessment Scale (MoCA), which have been widely used to evaluate the cognitive abilities. The secondary outcome indicator was the Barthel Index (BI) to assess independence in activities of daily living (ADLs).
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Henley, Megan, Lindie Hill, Sydney Inman, Molly King, Sam Lopez, and Carley Mahaffey. Long-Term Outcomes in Children with Acute Flaccid Myelitis. University of Tennessee Health Science Center, May 2021. http://dx.doi.org/10.21007/chp.mot2.2021.0007.

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The purpose of our critically appraised topic is to combine the best evidence regarding the long-term outcomes in children with acute flaccid myelitis (AFM) regarding posture and movement, gross and fine motor control, and activities of daily living (ADL) performance. The final portfolio contains eight articles. The study designs of these articles include a retrospective cohort study, two retrospective non-randomized studies without a control group, a retrospective review, a nationwide follow-up questionnaire analysis study, a case report, a case series, and a multiple quantitative case study. All studies related directly to our evidence-based PICO question and were used to determine the best evidence of the long-term outcomes in children with AFM. Overall, our findings showed that functional improvements were seen in most i ndividuals, however, this varied from complete to incomplete recovery along with some persistent motor and functional deficits. Every case is different depending on when they were diagnosed, and how quickly they were able to implement a rehabilitation program into their everyday routine.
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Weinschenk, Craig, and Keith Stakes. Analysis of Search and Rescue Tactics in Single-Story Single-Family Homes Part III: Tactical Considerations. UL's Fire Safety Research Institute, May 2022. http://dx.doi.org/10.54206/102376/xsla7995.

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Prior full-scale fire service research on the residential fireground has focused the impact of ventilation and suppression tactics on fire dynamics. This study builds upon prior research by conducting 21 experiments in two identical purpose-built single-story, single-family residential structures to quantify the impact of how search and rescue tactics are coupled with ventilation and suppression actions and timing. Each fully furnished structure included four bedrooms, 2 bathrooms and an open-floor kitchen and living room. The structures were instrumented to quantify post-ignition toxic gas and thermal conditions. Temperature, velocity, and pressure were measured to evaluate the fire dynamics. Gas concentrations and heat fluxes were measured to quantify toxic and thermal exposures. Eleven experiments examined bedroom fires, eight examined kitchen fires, and two examined living room fires. Across this series of experiments, the impact of isolation of fire and non-fire compartments, the timing of search actions relative to suppression actions, and the influence of isolation, elevation, and path of travel during rescue were examined with respect to firefighter safety and occupant tenability. Similar to previous experiments in both purpose-built and acquired structure, the data showed that prior intervention locations lower in elevation and/or behind closed doors had lower toxic gas and thermal exposures compared to locations at higher elevations or locations that were not isolated. Lower elevations were also shown to have lower toxic gas and thermal exposures during the removal of occupants as part of rescue operations. For scenarios where search operations occurred prior to suppression, isolation of spaces from flow paths connected to the fire compartment was shown to be effective at reducing the thermal operating class for firefighters and the toxic and thermal exposure rates compared to spaces that were not isolated. Following isolation, exterior ventilation was found to further reduce the toxic gas and thermal exposures in the protected space. Suppression, from either interior and exterior positions, was effective at reducing the thermal operating class for searching firefighters and the rate of thermal exposure increase to occupants. Following suppression, additional exterior ventilation increased the rate at which gas concentrations returned to pre-ignition levels.
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10

de Miguel Beriain, Iñigo, Aliuska Duardo Sánchez, and José Antonio Castillo Parrilla. What Can We Do with the Data of Deceased People? A Normative Proposal. Universitätsbibliothek J. C. Senckenberg, Frankfurt am Main, 2021. http://dx.doi.org/10.21248/gups.64580.

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The health and genetic data of deceased people are a particularly important asset in the field of biomedical research. However, in practice, using them is compli- cated, as the legal framework that should regulate their use has not been fully developed yet. The General Data Protection Regulation (GDPR) is not applicable to such data and the Member States have not been able to agree on an alternative regulation. Recently, normative models have been proposed in an attempt to face this issue. The most well- known of these is posthumous medical data donation (PMDD). This proposal supports an opt-in donation system of health data for research purposes. In this article, we argue that PMDD is not a useful model for addressing the issue at hand, as it does not consider that some of these data (the genetic data) may be the personal data of the living relatives of the deceased. Furthermore, we find the reasons supporting an opt-in model less convincing than those that vouch for alternative systems. Indeed, we propose a normative framework that is based on the opt-out system for non-personal data combined with the application of the GDPR to the relatives’ personal data.
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